Brian Kingston
The Strategist
The long view, patient, analytical, playing several moves ahead.
Brian Kingston presents as a textbook Strategist, consistently framing Brookfield Real Estate's decisions through disciplined cycle-awareness, risk-adjusted return optimization, and long-horizon capital deployment across 30 countries. Throughout the interview, Kingston demonstrates a command of macro forces, from deglobalization and housing undersupply to the blurring of real estate and infrastructure, and translates them into actionable portfolio tilts. He explains the logic of selling $10 billion of multifamily assets at 3.7% yields in 2021-2022 and redeploying at 5.7% in 2025 as evidence of systematic entry-point discipline rather than opportunism. Kingston also articulates a clear organizational thesis: embedding 30,000 operating employees globally generates real-time intelligence that sharpens investment conviction. His sustainability stance reinforces the archetype; he reframes ESG not as mission but as long-term asset protection strategy, keeping returns at the center of every decision.
“Owning the very best assets, we have learned over time, they hold their value the best through downturns. They stay occupied the longest. They're the first ones to lease back up again when the markets recover.”
“In 2021 and 2022, we sold a little over $10 billion of multifamily assets at an average initial yield of about 3.7%. This year in 2025 we've acquired about $5 billion of multifamily at an average yield of 5.7%.”
“We're not on a mission to save the world. We're investing in our assets and making them more sustainable because we believe that is what's actually going to help them hold their value in the future.”
Money Maze Podcast: “Unlocking Global Real Estate Opportunities: Perspectives on Risks & Returns (With Brian Kingston, CEO of Brookfield Real Estate)”
LISTEN AT THE SOURCE ↗THE RECORD IS CHECKABLE